Stock Rankings by Volume - Rankings 1701 to 1800
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 1701 to 1800.
1701
$45.41
816.973K
$5.07B
$37.10M
1702
NIQNIQ Global Intelligence plc $10.46
816.696K
$3.09B
$8.54M
1703
SVVSavers Value Village, Inc. $8.08
815.919K
$1.25B
$6.59M
1704
CYHCommunity Health Systems, Inc. $3.17
814.653K
$446.05M
$2.58M
1705
NMRKNewmark Group, Inc. Class A Common Stock $14.89
812.641K
$2.43B
$12.10M
1706
$48.93
812.047K
$7.80B
$39.73M
1707
$199.69
812.044K
$16.05B
$162.16M
1708
IRTIndependence Realty Trust Inc. $15.40
811.54K
$3.63B
$12.50M
1709
SFNCSimmons First National Corp $20.50
811.5K
$2.97B
$16.64M
1710
HCWBHCW Biologics Inc. Common Stock $0.3600
810.716K
$2.42M
$291.86K
1711
WHWyndham Hotels & Resorts, Inc. Common Stock $85.90
809.879K
$6.45B
$69.57M
1712
DGXQuest Diagnostics Inc. $191.51
809.632K
$21.04B
$155.05M
1713
FLYWFlywire Corporation Voting Common Stock $11.56
808.747K
$1.38B
$9.35M
1714
INTAIntapp, Inc. Common Stock $20.37
808.607K
$1.64B
$16.47M
1715
$3.87
807.411K
$574.95M
$3.12M
1716
AXSAxis Capital Holders Limited $98.14
806.951K
$7.27B
$79.19M
1717
ALMSAlumis Inc. Common Stock $23.05
806.373K
$2.84B
$18.59M
1718
$44.09
805.1K
$8.39B
$35.50M
1719
XERSXeris Biopharma Holdings, Inc. Common Stock $5.85
804.224K
$1.01B
$4.70M
1720
LTMLATAM Airlines Group S.A. American Depositary Shares (each representing two thousand (2,000) shares of Common Stock) $53.21
798.119K
$16.08B
$42.47M
1721
MTDRMATADOR RESOURCES COMPANY $59.86
797.864K
$7.44B
$47.76M
1722
TURBTurbo Energy, S.A. American Depositary Shares $2.28
797.331K
$27.40M
$1.82M
1723
EYENational Vision Holdings, Inc. Common Stock $25.67
795.124K
$2.04B
$20.41M
1724
PCTYPaylocity Holding Corporation Common Stock $95.10
794.236K
$5.12B
$75.53M
1725
$115.07
793.163K
$16.25B
$91.27M
1726
XXITwenty One Capital, Inc. $6.78
792.719K
$2.35B
$5.37M
1727
TRINTrinity Capital Inc. Common Stock $15.15
791.283K
$1.26B
$11.99M
1728
$15.15
791.143K
$1.57B
$11.99M
1729
STGWStagwell Inc. Class A Common Stock $6.26
790.388K
$1.59B
$4.95M
1730
$8.55
790.028K
$1.09B
$6.75M
1731
BBIOBridgeBio Pharma, Inc. Common Stock $74.59
789.435K
$14.46B
$58.88M
1732
LFSTLifeStance Health Group, Inc. Common Stock $6.44
788.125K
$2.51B
$5.08M
1733
EPRTEssential Properties Realty Trust, Inc. $32.54
788.085K
$6.84B
$25.64M
1734
VRRMVerra Mobility Corporation Class A Common Stock $14.50
784.849K
$2.19B
$11.38M
1735
PHGKONINKLIJKE PHILIPS N.V. $28.33
784.7K
$27.27B
$22.23M
1736
ALLEAllegion Public Limited Company $144.81
784.47K
$12.47B
$113.60M
1737
JAZZJazz Pharmaceuticals, Inc. $194.20
784.418K
$11.96B
$152.33M
1738
COSMCosmos Holdings Inc. Common Stock $0.3100
783.87K
$11.60M
$243.00K
1739
$97.58
780.833K
$5.90B
$76.20M
1740
JSPRJasper Therapeutics, Inc. Common Stock $0.8183
780.71K
$22.91M
$638.85K
1741
ZONECleanCore Solutions Inc. $0.3267
779.911K
$68.79M
$254.80K
1742
$106.95
779.814K
$12.00B
$83.40M
1743
CLYMClimb Bio, Inc. Common Stock $8.25
778.945K
$394.09M
$6.43M
1744
NNNextNav Inc. Common Stock $15.28
778.491K
$2.07B
$11.90M
1745
$59.18
778.237K
$6.45B
$46.06M
1746
MLCOMelco Resorts & Entertainment Limited American Depositary Shares $5.58
777.52K
$2.27B
$4.34M
1747
$34.17
777.213K
$4.61B
$26.56M
1748
$67.20
777.198K
$6.65B
$52.23M
1749
$55.80
776.78K
$5.91B
$43.34M
1750
LGVNLongeveron Inc. Common Stock $1.12
775.775K
$24.40M
$868.87K
1751
IKTInhibikase Therapeutics, Inc. Common Stock $1.70
775.619K
$224.46M
$1.32M
1752
SPGSimon Property Group, Inc. $200.57
774.657K
$65.15B
$155.37M
1753
XNDUXanadu Quantum Technologies Limited Class B Subordinate Voting Shares $8.80
773.426K
$380.90M
$6.81M
1754
LINLinde plc Ordinary Share $503.14
772.589K
$233.15B
$388.72M
1755
$13.87
772.14K
$628.41M
$10.71M
1756
GRNTGranite Ridge Resources, Inc. $5.57
771.988K
$732.26M
$4.30M
1757
ANFAbercrombie & Fitch Co. $98.73
771.891K
$4.44B
$76.21M
1758
OSSOne Stop Systems, Inc. Common Stock $7.81
771.849K
$193.17M
$6.03M
1759
SNDXSyndax Pharmaceuticals, Inc. $24.44
771.009K
$2.16B
$18.84M
1760
CBRLCracker Barrel Old Country Store, Inc,. $28.85
770.216K
$644.75M
$22.22M
1761
CRCTCricut, Inc. Class A Common Stock $4.18
770.109K
$237.21M
$3.22M
1762
WTWWillis Towers Watson Public Limited Company Ordinary Shares $280.14
768.894K
$26.39B
$215.40M
1763
ZEOZeo Energy Corporation Class A Common Stock $0.5510
768.8K
$18.51M
$423.61K
1764
TNDMTandem Diabetes Care, Inc. $19.30
767.861K
$1.32B
$14.82M
1765
$179.96
767.51K
$8.99B
$138.12M
1766
ETOReToro Group Ltd. Class A Common Shares $31.93
766.654K
$1.42B
$24.48M
1767
$5.87
766.474K
$612.00M
$4.50M
1768
VIVTelefonica Brasil, S.A. American Depositary Shares (Each representing One Common Share) $17.30
765.835K
$27.91B
$13.25M
1769
VECOVeeco Instruments Inc $40.69
764.669K
$2.46B
$31.11M
1770
MWHSOLV Energy, Inc. Class A Common Stock $31.65
763.981K
$3.65B
$24.18M
1771
CPRXCatalyst Pharmaceutical Inc. $24.82
763.76K
$3.03B
$18.95M
1772
VRTXVertex Pharmaceuticals Inc $436.50
763.661K
$111.03B
$333.34M
1773
FDMT4D Molecular Therapeutics, Inc. Common Stock $9.81
763.318K
$500.82M
$7.49M
1774
$2.56
762.143K
$20.71M
$1.95M
1775
EMPDEmpery Digital Inc. Common stock $4.80
761.391K
$145.19M
$3.65M
1776
$13.38
761.174K
$8.33B
$10.18M
1777
BTAIBioXcel Therapeutics, Inc. Common Stock $1.09
761.052K
$29.51M
$829.55K
1778
$2.00
759.415K
$144.65M
$1.52M
1779
EGHT8x8, Inc. Common Stock $1.75
759.358K
$243.24M
$1.33M
1780
LPLALPL Financial Holdings Inc. $312.53
759.138K
$25.06B
$237.25M
1781
$0.6554
758.294K
$62.01M
$496.99K
1782
ODFLOld Dominion Freight Line $208.60
758.188K
$43.48B
$158.16M
1783
$257.14
757.064K
$12.78B
$194.67M
1784
MTHMeritage Homes Corporation $66.00
754.613K
$4.40B
$49.80M
1785
AIVApartment Investment and Management Company $4.08
754.425K
$586.99M
$3.08M
1786
HIWHighwoods Properties Inc. $22.42
754.194K
$2.47B
$16.91M
1787
TYRATyra Biosciences, Inc. Common Stock $35.26
754.04K
$1.90B
$26.59M
1788
$87.61
753.967K
$14.52B
$66.06M
1789
CMCCommercial Metals Company $66.50
753.223K
$7.37B
$50.09M
1790
$19.37
752.581K
$3.87B
$14.58M
1791
ECXECARX Holdings Inc. Class A Ordinary shares $1.11
751.817K
$344.66M
$834.52K
1792
$31.04
751.733K
$3.24B
$23.33M
1793
PFGCPerformance Food Group Company $89.00
751.445K
$13.96B
$66.88M
1794
$90.42
750.408K
$12.23B
$67.85M
1795
OMFOneMain Holdings, Inc. $55.96
750.025K
$6.56B
$41.97M
1796
CRSPCRISPR Therapeutics AG $51.37
749.523K
$4.93B
$38.50M
1797
$6.26
749.035K
$531.12M
$4.69M
1798
VNDAVanda Pharmaceuticals Inc. $7.18
748.984K
$424.40M
$5.38M
1799
ALHAlliance Laundry Holdings Inc. $23.85
748.183K
$4.72B
$17.84M
1800
ACLXArcellx, Inc. Common Stock $114.83
744.304K
$6.72B
$85.47M